Baltimore 2011 FIVE STAR Wealth Managers - Five Star Professional
Baltimore 2011 FIVE STAR Wealth Managers - Five Star Professional
Baltimore 2011 FIVE STAR Wealth Managers - Five Star Professional
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• Act out of fiduciary standard<br />
• Independent, fee-only management<br />
• Emphasis on high client satisfaction<br />
V SM<br />
SPECIAL ADVERTISING SECTION<br />
ROBERT F. MEWSHAW<br />
usiness<br />
o Business Se<br />
endo Business Servic<br />
Creating <strong>Wealth</strong> by Managing Risk<br />
is a registered investment advisor established in 1992 under the<br />
leadership of President and Chief Investment Officer Robert F. Mewshaw,<br />
to provide individuals, businesses, retirement plans and trusts with professional<br />
investment services. Mr. Mewshaw has 30 years of experience as an investment<br />
professional. VSM is an independent, fee-only investment advisor, disclosing all<br />
fees fully to our clients. They accept no monetary or other compensation from<br />
<strong>2011</strong><br />
<strong>FIVE</strong> <strong>STAR</strong><br />
WEALTH MANAGERS<br />
Left to right: Pamela Mewshaw, Sara Bowser, Rob Mewshaw, <strong>FIVE</strong> <strong>STAR</strong> <strong>Wealth</strong> Manager Robert Mewshaw, Alex Barron, Bryan Thaler and Rick Faby<br />
Areas of Focus: Portfolio Management, Retirement Planning, Trust Services<br />
Titles: President, Chief Investment Offi cer<br />
escendo Business Services<br />
anyone except their clients. They maintain no custody of client assets at any<br />
time (custody services provided by Charles Schwab Inc.). They believe that the<br />
key to achieving superior long-term investment returns begins with the ability<br />
to correctly identify and manage risk. The objective is protection and growth<br />
of your assets through management of risk. Recognition of risk is fundamental.<br />
Management of risk is essential.<br />
Van Sant & Mewshaw, Inc. Registered Investment Advisor<br />
2330 West Joppa Road, Suite 201 • Lutherville, MD 21093<br />
Office : (410) 825-8844<br />
www. vs-m.com<br />
Crescendo Business Servic<br />
Federal and state law requires that Registered Investment Advisors are held to a Fiduciary Standard. This law requires that an advisor act solely in the best interest of the client, even if<br />
that interest is in conflict with the advisor’s financial interest. Registered Investment Advisors must disclose any conflict, or potential conflict, to the client prior to and throughout a<br />
business engagement. Investment Advisors must adopt a Code of Ethics and fully disclose how they are compensated. ADV provided upon request.<br />
Crescendo Business Se<br />
www.fivestarprofessional.com FEBRUARY <strong>2011</strong> / baltimoremagazine.net / FS-21<br />
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